MEMBERS ONLY
Nifty Awaits Budget Trigger as Consolidation Narrows
With the Union Budget coming up, Milan Vaishnav analyzes the state of the Nifty ahead of the special session and what could be expected.... READ MORE
With the Union Budget coming up, Milan Vaishnav analyzes the state of the Nifty ahead of the special session and what could be expected.... READ MORE
Mary Ellen McGonagle breaks down how sharp earnings reactions are driving volatility without breaking the broader market trend. She explains why recent pullbacks have been more about profit-taking and expectations than a meaningful shift in trend.... READ MORE
These charts indicate the stock market is showing warning signs. Tom Bowley analyzes the price action in semiconductors, cryptocurrencies, rotation away from growth, and sentiment measures to make his case. ... READ MORE
The S&P 500 reached 7000 for the first time ever, but the bigger story is happening below the surface. Tom Bowley breaks down what’s improving in market leadership, sector rotation, and early earnings reactions as the next phase of earnings season unfolds.... READ MORE
The Nasdaq leads with tech and semis, but weakening breadth raises questions. Learn which indicators and support levels to watch next.... READ MORE
As the U.S. dollar weakens, price action, not macro narratives, reveals shifting leadership across sectors and global markets.... READ MORE
Joe Rabil of Rabil Stock Research breaks down how low ADX and price patterns can signal emerging breakout setups. He also reviews SPY market conditions, rising bullish sentiment, and some recent symbol requests.... READ MORE
Frank Cappelleri analyzes how leadership within tech is starting to rotate, with some areas holding breakouts while others struggle. Discover which parts of large-cap tech are still working and what patterns investors should be watching.... READ MORE
Markets are feeling uncertain as earnings season unfolds and the Fed meeting approaches, yet overall trends remain surprisingly strong. This week, Dave Keller explores the concept of failed breakouts and why managing risk is just as important as identifying new opportunities.... READ MORE
Gold and silver are soaring, but inflation isn't where many expect. These charts reveal what's really driving prices in early 2026.... READ MORE
The current technical structure of the Nifty reflects a significant breakdown. Will a deeper corrective move follow?... READ MORE
The stock market may look calm on the surface, but leadership is shifting beneath the surface. Find out where leadership is rotating and how selective stock opportunities are emerging.... READ MORE
Mary Ellen McGonagle breaks down a market where strength is holding up in only certain areas while many others continue to weaken. She highlights where relative strength is showing up, where momentum is fading, and what investors should be watching in a selective market.... READ MORE
Investors are rotating to foreign markets and value stocks. Tom Bowley analyzes the relative strength of foreign stocks against the S&P 500 and identifies which markets are in the strongest trends.... READ MORE
The S&P 500 holds its uptrend as small caps lead and gold surges. Here’s what the charts say about market direction and risk. ... READ MORE
Markets were mixed last week, but Tom Bowley explains why the real story isn’t in the headlines. He breaks down where money is rotating right now — and why those early-January signals matter more than index levels.... READ MORE
Joe Rabil of Rabil Stock Research explains why a pullback could create better stock opportunities, even as overall market risk rises. From there, he reviews SPY conditions, volatility, sentiment, and recent symbol requests.... READ MORE
Rising interest rates and weakening tech are reshaping stock market leadership. Learn how market rotation works and what "Sell America 2.0" means for investors. ... READ MORE
Dave Keller breaks down RSI signals that many traders misread, including overbought conditions and bearish divergences. Using real chart examples, he explains which RSI signals actually matter as momentum shifts.... READ MORE
The Technology sector has been range-bound and is undergoing some internal shifts beneath the surface. Find out what these shifts are and how you can capitalize on these moves.... READ MORE
Mary Ellen McGonagle breaks down how market leadership is narrowing as more areas lose strength. She highlights the sectors and stocks that are working and the signals investors should be watching in an increasingly selective market.... READ MORE
The bull market is seeing broader participation with industry groups such as Home Construction, Retail, and Regional Bank stocks breaking out. Here's an analysis of the various sectors and industry groups that are showing strength, plus a stock you may want to consider.... READ MORE
The S&P 500 consolidates while market breadth improves. Small caps, semiconductors, and the S&P 500 Equal-Weight Index highlight a broader rally.... READ MORE
Major indices remain near record levels as key market relationships begin to resemble conditions that can come before market tops. Tom Bowley breaks down the signals Wall Street is sending beneath the surface and explains why this familiar setup deserves close attention.... READ MORE
Joe Rabil of Rabil Stock Research breaks down why the 10-year yield is at a critical juncture after months of quiet trading, along with what that might signal. He also reviews SPY market conditions, gold, silver, and recent stock requests.... READ MORE
Point & Figure charts are showing a breakout in broad commodities with a price target that suggests commodities have room to run. Here's a deep dive into the technical chart patterns that could support the run in commodities.... READ MORE
Early price action shows mixed signals as Financials weaken, tech stalls, and oil, the dollar, and Bitcoin show signs of changing trends.... READ MORE
Market breadth has improved dramatically as the S&P 500 pushes to new highs. Dave Keller, CMT, reviews three key breadth indicators—including advance-decline lines, new highs vs. lows, and stocks above key moving averages—to assess whether this bullish trend remains intact.... READ MORE
David Keller breaks down five key breadth signals confirming the market’s 2026 breakout. At the same time, he also examines what each indicator could do that would signal weakening participation and a potential breakdown.... READ MORE
Are the U.S. markets showing signs of running out of steam? Martin Pring analyzes the relative strength of U.S. indexes with respect to non-U.S. indexes. Another group that could gain momentum is small-caps. Here's what you should be watching. ... READ MORE
Earnings season kicks off this week with big banks reporting. Follow the price action and market-based indicators in these charts to get clear clues rather than media headlines.... READ MORE
The Nifty was the only major global equity index to end the week in the red amid US tariff uncertainty. Is it vulnerable to further pressure?... READ MORE
Government policy decisions are moving industry groups as the focus shifts to energy security, housing affordability, and manufacturing. Find out which stocks are showing breakout potential.... READ MORE
Mary Ellen McGonagle breaks down how market participation and sector movement are shifting early in the year, highlighting key signals investors should be watching as leadership rotates beneath the surface.... READ MORE
The S&P 500 is in a clear uptrend with strong breadth, and three sectors leading the trend are Finance, Health Care, and Industrials. Arthur Hills shows you how to use a top-down approach to identify oversold stocks within uptrends.... READ MORE
The S&P 500 is edging higher but lacks conviction. Here are the key support levels, catalysts, and leadership shifts to watch as 2026 begins.... READ MORE
Markets opened 2026 with solid gains, but Tom Bowley explains why several warning signs beneath the surface deserve attention. He breaks down leadership trends and intermarket relationships that are failing to confirm the rally, highlighting what traders should keep their eyes on.... READ MORE
Joe Rabil of Rabil Stock Research breaks down a momentum shift, highlighting stocks beginning to stand out based on trend, momentum, and relative strength. He also reviews SPY market conditions, including volatility, sentiment, and multi-timeframe trend analysis.... READ MORE
Frank Cappelleri breaks down why financials and semiconductors are showing strength and how Bitcoin is attempting to regain momentum early in 2026. Failed breakdowns, bullish patterns, and key levels are shaping what happens next in the market.... READ MORE
A shift is taking place in the stock market that investors shouldn't ignore. As leadership rotates beyond mega-cap stocks, mid-caps are breaking to record highs. What does this early-year price action indicate? Find out here.... READ MORE